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AN  ORDINANCE 


Making  Appropriations  for  the  Eighth  or  Berkley  Ward 
for  the  fiscal  year  beginning  July  1st,  1910,  and  ending 
June  30th,  1911,  and  regulating  the  payment  of  same. 

Section  1.  Be  it  ordained  by  the  City  Council  of  the  City  of 
Norfolk  that  the  following  amounts  be,  and  they  are  hereby,  ap- 
propriated for  the  use  of  the  Eighth  or  Berkley  Ward  from  the 
funds  received  from  said  Ward  or  which  may  be  otherwise  pro- 
vided for,  for  the  fiscal  year  beginning  July  1st,  1910.  and  end- 
ing June  30th,  1911,  inclusive,  for  the  General  Expenses  and 
for  the  Interest  of  the  said  Ward. 


Interest. 


*1 


Corporate  Purposes. 


Amount. 

Rate. 

Interest. 

Total. 

$ 77,000.00 

4% 

$3,080.00 

155,000.00 

5% 

7,750.00 

75,000.00 

6% 

4,500.00 

$15,330.00 

$307,000.00 

Interest  Contingent 

Interest  on  JBonds  authorized,  but 
not  issued,  as  per  statement  of 
the  City  Comptroller,  March  23, 

1910,  $12,329.50  @ 4%% 

Interest  on  Bonds  estimated  to  be 
issued,  say  $25,000.00  @ 4%  % . 

Total  Appropriation  for  Interest 


1,500.00 


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General  Departments. 


Commissions  (City  Collector) $ 500.00 

Public  Buildings 400.00 

Health  Department 2,300.00 

City  Hoine 700.00 

Water  Rents 2,705.00 

Electrical  Department 375.00 

Public  Lighting 4,254.00 

Public  Schools 14.404.00 

Magnolia  Cemetery 2,305.00 

Police  Department 14,776.00 

Fire  Department 11,680.00 

Elections,  Insurance  and  Coroner’s  Fees,  350.00 

f 

Total  for  General  Departments.  . . . $54,749.00 

Street,  Sewer  and  Drain  Department. 

Cleaning  Streets ,. . . .$11,275.95 

Maintenance  of  Sewers 2,000.00  ' 

Repairs  to  Streets 1,000.00 

Repairing  and  Rebuilding  Sidewalks,  1.000.00 


Total  for  Street,  Sewer  and  Drain 

Department  $15,275.95 

Total  Appropriations  for  Berkley 
Ward  $88,579.95 


Section  2.  It  shall  be  unlawful  for  the  Board  of  Control  or 
any  Department,  or  for  any  Committee,  to  incur  any  debt  or 
make  any  expenditures  in  any  six  months  beyond  one-half  of 
the  annual  appropriation  to  said  Board  of  Control,  Department 
or  Committee;  provided,  that  any  unexpended  balance  remain- 
ing from  such  allowance  may  be  used  at  any  time  during  the  year 
by\the  Department  or  Committee  entitled  thereto ; and,  pro- 
vided further,  that  this  section  shall  not  apply  to  the  appropri- 
ations otherwise  provided  for,  or  to  those  made  to  the  Health 


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Department,  to  the  Police  Department,  to  the  Interest  on  the 
Ward’s  Debt,  to  the  Insurance  on  Public  Buildings,  or  to  the 
appropriations  made  for  Repairing  Sidewalks. 

Section  3.  Payments  to  be  made  by  warrants  of  the  City 
Comptroller  on  the  City  Treasurer,  upon  vouchers  or  pay  rolls, 
in.  acordance  with  the  ordinances  of  the  City,  unless  otherwise 
provided  for. 

Section  4.  All  ordinances  or  parts  of  ordinances  in  conflict 
herewith  are  hereby  repealed. 

Section  5.  This  ordinance  shall  be  in  force  from  its  passage. 

Approved  April  7th,  1910. 

THE  FINANCE  COMMITTEE 
of  the  City  Council. 

ROBT.  B TUNSTALL, 
Chairman  from  the  Common  Council. 

THOS.  H.  WILLCOX, 
Chairman  from  the  Board  of  Aldermen. 


Put  upon  its  First  Reading  and  Laid  Over  by  the  Common 
Council,  April  11th,  1910. 

Adopted  by  the  Board  of  Aldermen  April  12th,  1910. 
Adopted  by  the  Common  Council  April  15th,  1910. 

Approved  by  the  Mayor  April  21st,  1910  . 

J 

Teste : 

R.  E.  STEED, 

^ City  Clerk. 


